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2 x Commodities Front Office Consultants – Energy Trading & Risk Management Firm – £45-£75K + 20
Our client is an industry leading and award winning Energy Trading Risk Management (ETRM) Consultancy. Their success is largely attributable to their ability to address the complex requirements of their clients, who include the oil gas super majors, asset backed commodity trading houses and bulge bracket investment banks. MAIN JOB DESCRIPTION: To apply energy market expertise in the implementation or operation of the company’s ETRM / CTRM software and Straight-Through-Processing (STP) software. The role is “hands on” and requires the individual to become an expert in the software functionality Read more […]
Head of Risk Management for an Energy Major based in London
My client is a leading London based Energy Company who are looking to bring in an experienced Risk Manager to head up the Risk Management division in their London office to manage a team of risk managers, analysts, and modellers to analyse and report to the Senior Management on all aspects of risk including: trading risk, market risk, operational risk, derivative risk, hedging risk, credit risk, construction risk, risk associated with new products, regulatory risk and any other risk likely to affect the company’s business. The main responsibilities of this role are to: Establish and maintain Read more […]
Market Risk Management -Gas and Power at VP Level for Leading Commodities Trading Firm
-Based in Chicago -$110,000-$130,000 base salary plus front office bonus additional benefits -The market risk management team for a highly regarded trading firm headquartered in Chicago is looking to hire a VP with a background in Commodities Market Risk Management. This position would require working on the front-end with traders, while overseeing the risk management team. Directly responsible for PnL in the commodities sector, offering opportunity for bonuses and additional benefits. The ideal candidate would have exposure to dealing with traders on a daily basis and experience with liaising Read more […]
Head of Fixed Income Risk Management
Head of Fixed Income Risk Management£95,000 – £140,000 + Bonus + BenefitsCentral London Who They Are They are hedge fund with circa AUM of $3bn under management. They are now looking for a hands on fixed income risk manager who has strengths in market risk, credit counterparty and liquidity risk. You must be technically strong in fixed income and be able to cover the full Fixed Income product range (including swaps, swaptions and options) as well as understanding underlay trading using FX, derivatives, equities and commodities. The role is a risk management role rather than a risk measurement Read more […]
Project Manager – ex Management Consultant – Conduct Risk Management/Treating customers fairly – £6
To be successful for this role, applications will have: Prince II/PMO – structured Project Management experience Compliance – Conduct Risk Management/ (TCF) Treating customers fairly Projects. Ideally, you will have former management consulting experience – Strategy focused, Big 4 or other. For more information, feel free to contact me on Kam.Bamrah@alexanderash.com. To be kept in the loop of other, similar Change and Transformation (Contract) roles – lets connect on LinkedIn: uk.linkedin.com/in/kambamrah/ – we work for leading Investment Banks, Management Consultancies and a few Buy-side Read more […]
Senior Analyst, Group Substantial Shareholding Team. Wealth Risk Management
The Commonwealth Bank brand is the most recognised brand in the Australian financial services industry. The TeamWealth Risk Management Shared Solutions (Shared Solutions) provides support to the various WM business lines in the provision of design and implementation skills in the area of Risk Management. One of the teams within Shared Solutions’ is The Group Substantial Shareholding team. Their main focus is monitoring the Group’s substantial shareholding requirements and transitioning the remainder of an initiative to ensure that all the relevant Groups’ holdings are monitored into their team. Read more […]
Market Risk Management -Fixed Income at VP Level for Tier 1 Investment Bank
Market Risk Management –Fixed Income at VP Level for Tier 1 Investment Bank -Based in NYC -$160,000-$180,000 base salary plus front office bonus additional benefits -The market risk management team for a highly regarded investment bank headquartered in New York City is looking to hire a VP with a background in Fixed Income Market Risk Management. This position would require working on the front-end with traders, while overseeing the risk management team. Directly responsible for PnL in the fixed income sector, offering opportunity for bonuses and additional benefits. The ideal candidate would Read more […]
Pre-Sales Consultant for market leading Energy Trading and Risk Management Consultancy – £70K
My client is a market leading expert in the Energy Trading and Risk Management industry and is looking to hire an experienced Pre-Sales Consultant to participate in Sales campaigns and provide solution support to these campaigns. Due to recent high performance, the consultancy is looking to grow aggressively with a key focus in the Sales team. The main responsibilities of the role will be to: Participate in defining the prospect’s business requirements, needs, and objectives, and creating product demonstrations that exemplify how the company’s software can best meet their requirements. Conduct Read more […]
Senior Associate/ Executive, Group Treasury, Liquidity Risk Management
Are you willing to go the extra mile in realising your goals? Be part of a business that inspires collaboration and innovation Dynamic work environment located in Martin PlaceAbout the roleWe are seeking a Senior Associate/ Executive to join our Liquidity Risk Management team within Group Treasury. You will be part of a team reporting to the Chief Financial Officer, responsible for managing the Group’s capital, funding and liquidity position.In this role you will:maintain and enhance liquidity modelling and scenario analysis – assisting with the regular liquidity scenario analysis processes including Read more […]
Senior Sales /Eastern Europe/Trading Solutions /Risk Management/Capital Markets
This is a fantastic opportunity to work for an established brand that has one of the best trading solutions in the market. The role will consist for selling their full suite of trading solutions products including – risk management, Treasury, Post Trade and Buy side. The role will be a new business role selling their solutions across the Eastern European markets. They are looking for someone who has experience of selling large ticket complex solutions and has sold solutions across finance markets across the Eastern European markets. This majority of this role will focus on new business role but Read more […]